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邵阳液压

(301079)

  

流通市值:18.33亿  总市值:28.71亿
流通股本:6952.52万   总股本:1.09亿

资产负债表

报告期2025-09-302025-06-302025-03-312024-12-31
公司类型通用通用通用通用
流动资产:
  货币资金3,314,727.689,516,676.446,261,848.4920,543,576.18
  应收票据及应收账款283,117,788.02274,913,065.5289,608,835.06306,681,062.96
  其中:应收票据26,447,848.0520,328,497.0354,180,869.853,836,115.19
        应收账款256,669,939.97254,584,568.47235,427,965.26252,844,947.77
  应收款项融资2,379,843.654,603,073.413,020,595.5710,536,641.47
  预付款项13,335,622.7112,492,241.8916,817,316.449,387,540.76
  其他应收款合计5,383,021.76,279,552.197,471,885.421,861,020.81
  存货103,485,865.2593,214,823.74116,362,131.72130,623,496.43
  合同资产17,177,93622,609,949.4823,716,087.0721,965,294.6
  其他流动资产1,238,634.14297,364.39618,611.471,615,999.93
  流动资产合计429,433,439.15423,926,747.03473,877,311.24503,214,633.14
非流动资产:
  长期股权投资5,402,820.745,475,956.545,504,733.165,361,305.24
  投资性房地产9,559,251.199,632,545.939,705,840.679,769,700.85
  固定资产306,027,864.75311,107,114.32301,765,531.95305,865,663.39
  在建工程53,960,615.5652,524,378.6755,235,359.7953,538,244.67
  使用权资产1,813,522.741,939,254.332,064,985.922,190,717.51
  无形资产39,190,897.0239,528,377.0739,962,268.4540,396,159.83
  长期待摊费用2,852,299.742,188,753.022,290,393.252,461,127.22
  递延所得税资产23,629,939.3223,614,231.1324,066,885.0524,431,693.58
  其他非流动资产3,569,280.563,580,729.239,984,831.872,508,458.88
  非流动资产合计446,006,491.62449,591,340.24450,580,830.11446,523,071.17
  资产总计875,439,930.77873,518,087.27924,458,141.35949,737,704.31
流动负债:
  短期借款95,047,384.3589,295,127.9290,530,00087,599,197.36
  应付票据及应付账款124,887,339.9126,740,246.51133,883,750.88162,019,946.94
  其中:应付票据9,034,4574,000,000300,00010,240,642.7
        应付账款115,852,882.9122,740,246.51133,583,750.88151,779,304.24
  合同负债8,018,659.836,524,544.6919,589,332.8512,728,650.08
  应付职工薪酬3,437,466.363,561,346.593,372,244.946,197,593.47
  应交税费466,413.671,802,261.96303,602.33290,295.93
  其他应付款合计8,346,862.468,910,741.57,950,093.79,553,309.71
  一年内到期的非流动负债41,638,982.3142,298,224.9536,891,547.7236,882,479.94
  其他流动负债22,197,525.868,131,785.2635,340,216.9343,162,041.17
  流动负债合计304,040,634.74287,264,279.38327,860,789.35358,433,514.6
非流动负债:
  长期借款48,955,621.8755,984,398.2565,029,66058,598,923.31
  租赁负债1,477,951.391,487,311.361,734,098.921,742,393.01
  预计负债735,746.95570,622.4256,586.91,352,214.42
  递延收益37,348,373.7937,028,611.1237,728,180.4538,369,855.04
  递延所得税负债10,070,483.3810,263,476.510,453,885.0110,656,881.1
  非流动负债合计98,588,177.38105,334,419.63115,202,411.28110,720,266.88
  负债合计402,628,812.12392,598,699.01443,063,200.63469,153,781.48
所有者权益(或股东权益):
  实收资本(或股本)108,932,234109,338,159109,338,159109,338,159
  资本公积188,576,763.63191,629,319.63196,219,431.56196,219,431.56
  减:库存股7,527,641.757,527,641.757,527,641.757,527,641.75
  盈余公积37,798,756.9637,798,756.9637,798,756.9637,798,756.96
  未分配利润145,086,989.16149,736,865.02145,622,346.47144,810,909.79
  归属于母公司股东权益合计472,867,102480,975,458.86481,451,052.24480,639,615.56
  少数股东权益-55,983.35-56,070.6-56,111.52-55,692.73
  股东权益合计472,811,118.65480,919,388.26481,394,940.72480,583,922.83
  负债和股东权益合计875,439,930.77873,518,087.27924,458,141.35949,737,704.31
公告日期2025-10-292025-08-272025-04-252025-04-09
审计意见(境内)标准无保留意见
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